Date:28-Apr-2024  Time: 7:46 PM
 
 
        
Tainwala Chemicals & Plastics (India) Ltd
(Rs. In Crores)
YearsMar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018
Debt-Equity Ratio0.000.000.000.000.000.00
Long Term Debt-Equity Ratio0.000.000.000.000.000.00
Current Ratio9.845.435.286.076.665.94
Fixed Assets2.111.461.352.352.773.01
Inventory4.211.991.562.112.192.40
Debtors22.125.292.656.7410.078.39
Interest Cover Ratio259.00-8.51-28.75146.3333.50160.25
PBIDTM (%)23.62-33.68-10.5146.1215.2659.13
PBITM (%)20.19-38.60-17.9341.4011.7155.74
PBDTM (%)23.54-38.21-11.1345.8414.9258.78
CPM (%)19.41-38.21-10.9745.7517.1758.78
APATM (%)15.98-43.13-18.3941.0213.6255.39
ROCE (%)2.73-3.15-1.245.361.758.89
RONW (%)2.17-3.54-1.305.332.068.92
 
Source:Capital Market
 
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